Shining the way ahead with
Asian Fixed Income

Asia continues to present attractive opportunities for long-term capital growth and income. Allianz Asian Fixed Income Strategies gives you four options in your hunt for yield in this low interest rate environment and nurture your investments according to your objectives and risk profile.
Allianz Dynamic Asian High Yield Bond
Tap on Asian high yield bonds to capture yield in a low-yielding environment
  • Enjoy attractive yields in a low-interest rate environment.
  • Invest in bonds issued by dynamic, fast-growing Asian companies.
  • Benefit from an active, dynamic risk management approach that includes use of tactical strategies.
Allianz Flexi Asia Bond
Capture opportunities with a flexible allocation to different types of Asian bonds
  • Adopt a flexible strategy that allocates according to the market environment, with the aim of maximising total return.
  • Enjoy a variety of choices, attractive yields and diversification benefits offered by different Asian bond types.
  • Achieve stable income through regular monthly distributions*.
*Dividend payments are applicable for Class AM Dis (monthly distribution). Yields are not guaranteed, dividend may be paid out from capital.
Allianz Asian Multi Income Plus
Illuminating Asian income and growth opportunities through Asian equities and bonds investing
  • Asian income and growth investment strategy to capture potential capital appreciation and multi-income opportunities in the region.
  • Achieve stable income through regular monthly distributions*.
*Dividend payments are applicable for Class AM Dis (monthly distribution) and for Class AMg Dis (monthly distribution) and for reference only. Yields are not guaranteed, dividend may be paid out from capital (Class AM) or effectively out of capital (Class AMg).
Allianz SGD Income Fund*
Capturing income and yield enhancement opportunities in the Singapore fixed income landscape.
  • Aims to provide long term capital appreciation and/or income in SGD terms by investing primarily in debt securities.
  • Captures opportunities by investing predominantly in SGD bonds, with additional sources of returns and diversification through Asian USD bonds.
  • Seeks to provide an average portfolio rating of investment grade with selective allocation to high yield credits for yield enhancement.
  • Provides a steady, monthly income stream# amidst a low SGD deposit rate environment.
* The Fund is not yet available for sale in Singapore.
# Dividend payments are applicable for Class AM Dis (monthly distribution) and for reference only. Yields are not guaranteed, dividend may be paid out from capital.
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Information herein is based on sources we believe to be accurate and reliable as at the date it was made. We reserve the right to revise any information herein at any time without notice. No offer or solicitation to buy or sell securities and no investment advice or recommendation is made herein. In making investment decisions, investors should not rely solely on this material but should seek independent professional advice. However, if you choose not to seek professional advice, you should consider the suitability of the product for yourself. Past performance of the fund manager(s) and the fund is not indicative of future performance. Prices of units in the Fund and the income from them, if any, may fall as well as rise and cannot be guaranteed. Distribution payments of the Fund, where applicable, may at the sole discretion of the Manager, be made out of either income and/or net capital gains or capital of the Fund. As a result, it may reduce the Fund’s net asset value. The dividend yields and payouts are not guaranteed and might change depending on the market conditions or at the Manager’s discretion. Investment involves risks including the possible loss of principal amount invested and risks associated with investment in emerging and less developed markets. The Fund may invest in financial derivative instruments and/or structured products and be subject to various risks (including counterparty, liquidity, credit and market risks etc.). Investing in fixed income instruments (if applicable) may expose investors to various risks, including but not limited to creditworthiness, interest rate, liquidity and restricted flexibility risks. Changes to the economic environment and market conditions may affect these risks, resulting in an adverse effect to the value of the investment. During periods of rising nominal interest rates, the values of fixed income instruments (including short positions with respect to fixed income instruments) are generally expected to decline. Conversely, during periods of declining interest rates, the values are generally expected to rise. Liquidity risk may possibly delay or prevent account withdrawals or redemptions. Past performance, or any prediction, projection or forecast, is not indicative of future performance. Investors should read the Prospectus obtainable from Allianz Global Investors Singapore Limited or any of its appointed distributors for further details including the risk factors, before investing. This material has not been reviewed by the Monetary Authority of Singapore (MAS). MAS authorization/recognition is not a recommendation or endorsement. The issuer of this material is Allianz Global Investors Singapore Limited (12 Marina View, #13-02 Asia Square Tower 2, Singapore 018961, Company Registration No. 199907169Z).